Finance and Investment (Risk Management) (Taught) | Master's degree | Business | On Campus | 18 months | London School of Business and Finance | United Kingdom
Prepare for the modern marketplace by learning to manage and evaluate the different risks facing global organisations today. There is an increasing demand for graduates who are aware of the connection that exists between finance and risk, as well as how to properly manage this relationship. This programme is carefully structured to give you an accurate picture of how things really work in this exciting field. It gives you essential skills in risk and crisis management, through theoretical concepts and practical business continuity methods. You will also develop a broad understanding of derivatives and various investments - including equity, fixed income and alternative investments.